Quel horizon de placement ?
- Court terme
- Moyen terme
- Long terme
À Risque plus faible
À Risque plus élevé
Rendement potentiellement plus faible
Rendement potentiellement plus élevé
14
fonds sur 24 correspondent à vos critères -
Réinitialiser les filtres
Actualisé le 09/09/2016 (4)
Aucuns fonds ne correspond à vos critères dans cette liste.
Actualisé le 09/09/2016 (4)
| Libellé |
|
Durée de placement minimum recommandée |
Indicateur Synthétique de Risque(2) |
|||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Allocation Pilotée EquillibreFR0012333201 |
+4.02% | +7.87% | +24.70% | +32.65% | 3 ans | 3 | ||||||||
DNCA Convertibles Euro - Part I/CFR0010658963 |
-13.11% | -14.88% | -7.13% | -10.22% | 4 mois | N/A | ||||||||
DNCA Convertibles Euro - Part R/CFR0010660142 |
-13.38% | -15.52% | -9.21% | -13.40% | 4 mois | N/A | ||||||||
DNCA Invest Alpha Bonds - Part A EURLU1694789451 |
+5.17% | +5.56% | +16.62% | +29.41% | 3 ans | 2 | ||||||||
DNCA Invest Alpha Bonds - Part I EURLU1694789378 |
+5.73% | +6.24% | +18.84% | +33.28% | 3 mois | 2 | ||||||||
DNCA Invest Beyond Alterosa - Part ALU1907594748 |
+1.92% | +0.80% | +17.39% | +5.89% | 3 ans | 2 | ||||||||
DNCA Invest Beyond Alterosa - Part ILU1907594664 |
+2.55% | +1.55% | +20.03% | +9.83% | 3 ans | 2 | ||||||||
DNCA Invest Credit Conviction - Part ALU0284393930 |
+4.80% | +6.18% | +24.12% | +14.27% | 2 ans | 2 | ||||||||
DNCA Invest Credit Conviction - Part ILU0284393773 |
+5.18% | +6.65% | +26.81% | +17.69% | 2 mois | 2 | ||||||||
DNCA Invest Eurose - Part ILU0284394151 |
+7.85% | +8.02% | +24.37% | +35.78% | 3 mois | 2 | ||||||||
Dorval Convictions - Part IFR0010565457 |
+10.83% | +11.96% | +33.95% | +51.77% | 3 ans | 3 | ||||||||
Dorval Convictions - Part RFR0010557967 |
+10.09% | +11.06% | +30.77% | +46.30% | 3 ans | 3 | ||||||||
Dorval Global Conservative - Part IFR0013333846 |
+4.33% | +4.84% | +13.31% | +15.37% | 2 ans | 2 | ||||||||
Dorval Global Conservative - Part RFR0013333838 |
+3.81% | +4.21% | +11.44% | +12.09% | 2 ans | 2 | ||||||||
EuroseFR0007051040 |
+7.38% | +7.42% | +22.00% | +31.64% | 3 ans | 2 | ||||||||
Mirova Euro Green and Sustainable Bond fund - Part I / ALU0914734537 |
+2.29% | +3.44% | +15.42% | -9.34% | 2 ans | 3 | ||||||||
Mirova Euro Green and Sustainable Bond Fund - Part R / ALU0914734701 |
+1.90% | +2.97% | +13.91% | -11.33% | 2 ans | 3 | ||||||||
Mirova Euro Green and Sustainable Corporate Bond - Part I / ALU0552643685 |
+3.00% | +4.16% | +17.83% | -2.12% | 3 ans | 2 | ||||||||
Mirova Euro Green and Sustainable Corporate Bond - Part R / ALU0552643842 |
+2.62% | +3.70% | +16.29% | -4.24% | 3 ans | 2 | ||||||||
Mirova Global Green Bond Fund - Part I / ALU1472740502 |
+2.37% | +3.07% | +12.49% | -12.96% | 3 ans | 3 | ||||||||
Mirova Global Green Bond Fund - Part R / ALU1472740767 |
+1.99% | +2.61% | +11.01% | -14.85% | 3 ans | 3 | ||||||||
Mirova Obli Euro - Part R(C)FR0010028985 |
+1.94% | +3.01% | +14.05% | -11.13% | 2 ans | 2 | ||||||||
Natixis Conservative Risk ParityLU0935227537 |
+4.99% | +5.85% | +11.44% | +2.26% | 3 ans | 2 | ||||||||
Natixis Diversified Solution - Part IFR0007480389 |
+4.33% | +5.82% | +16.79% | +6.47% | 3 ans | 3 | ||||||||
Natixis Diversified Solution - Part RFR0013300910 |
+3.89% | +5.29% | +15.04% | +3.82% | 3 ans | 3 | ||||||||
Natixis Equity Capital OptimFR0013126869 |
-4.67% | -2.77% | +2.41% | +3.63% | 3 ans | 4 | ||||||||
Natixis ESG Conservative R/A (EUR)LU2169557654 |
+3.10% | +4.41% | +17.75% | +8.43% | 3 ans | 2 | ||||||||
Harris Associates Global Equity Fund - Part ILU0147943954 |
+2.04% | +4.94% | +27.97% | +68.54% | 3 ans | 5 | ||||||||
Harris Associates Global Equity Fund - Part (R/A)LU0147944259 |
+1.11% | +3.80% | +23.85% | +59.59% | 3 ans | 5 | ||||||||
Natixis Profil Sérénité I (C) EURFR0010326264 |
+4.97% | +6.00% | +14.42% | +14.63% | 3 ans | 2 | ||||||||
Ostrum Euro High Income Fund - ¨Part I/ALU0556616935 |
+5.56% | +7.04% | +32.32% | +19.03% | 3 ans | 3 | ||||||||
Ostrum Euro High Income Fund - ¨Part R/ALU0556617156 |
+4.99% | +6.32% | +29.52% | +14.80% | 3 ans | 3 | ||||||||
Ostrum SRI CrossoverFR0011350677 |
+4.24% | +5.42% | +20.86% | +12.42% | 3 ans | 2 | ||||||||
Ostrum SRI Crossover - Part LFR0011350685 |
+3.89% | +5.03% | +19.94% | +11.12% | 3 ans | 2 | ||||||||
Ostrum SRI Euro Sovereign Bonds - Part IFR0010655456 |
+0.91% | +1.79% | +5.58% | -14.75% | 3 ans | 3 | ||||||||
Ostrum SRI Euro Sovereign Bonds - Part R (C)FR0000003196 |
+0.70% | +1.54% | +4.79% | -15.80% | 3 ans | 3 | ||||||||
VEGA Alpha Opportunités ISR - Part IFR0013200250 |
-1.78% | -0.58% | +7.51% | -1.64% | 3 ans | 2 | ||||||||
Vega Alpha Opportunités ISR - Part RFR0013200243 |
-0.04% | +1.17% | +12.78% | -1.04% | 3 ans | 2 | ||||||||
VEGA Euro Rendement ISR - Part I/CFR0012006971 |
+3.57% | +4.55% | +19.51% | +13.33% | 3 ans | 2 | ||||||||
VEGA Euro Rendement ISR - Part RFR0011037894 |
+3.05% | +3.92% | +17.57% | +10.28% | 3 ans | 2 | ||||||||
VEGA Patrimoine ISR - Part R/CFR0007371810 |
+9.29% | +9.89% | +29.71% | +32.27% | 3 ans | 3 | ||||||||
Aucuns fonds ne correspond à vos critères dans cette liste.
Actualisé le 09/09/2016 (4)
| Libellé |
|
Durée de placement minimum recommandée |
Indicateur Synthétique de Risque(2) |
|||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Ostrum Euro ABS IG - Part I EUR CapFR0012100311 |
+2.54% | +3.18% | +13.62% | +11.51% | 1 an | 2 | ||||||||
Ostrum Euro Inflation - Part I (A)LU0935222652 |
+2.98% | +3.45% | +6.48% | +13.87% | 2 ans | 3 | ||||||||
Ostrum Euro Inflation - Part R/ALU0935222900 |
+2.65% | +3.05% | +5.26% | +11.67% | 2 ans | 3 | ||||||||
Natixis Intl Funds(Lux) I Ostrum Global Inflation Fd I/A Eur CLU0255251166 |
+2.21% | +0.59% | -1.41% | -12.91% | 2 ans | 3 | ||||||||
Ostrum Global Inflation Fund - Part R(C) EURLU0255251679 |
+1.70% | -0.02% | -3.15% | -15.44% | 2 ans | 3 | ||||||||
Ostrum SRI Credit Euro 1-3- Part I / CFR0011068642 |
+2.92% | +3.87% | +14.11% | +9.23% | 2 ans | 2 | ||||||||
Ostrum SRI Crédit Euro 1-3 - Part R / CFR0011071778 |
+2.66% | +3.56% | +13.08% | +7.60% | 2 ans | 2 | ||||||||
Ostrum Credit Ultra Short Plus - Part SIFR0007053749 |
+2.62% | +3.19% | +12.20% | +12.47% | 2 ans | 1 | ||||||||
Ostrum Credit Ultra Short Plus - Part I/CFR0013231453 |
+2.66% | +3.21% | +12.34% | +12.56% | 2 ans | 2 | ||||||||
Ostrum Credit Short Duration - Part I / ALU0935221761 |
+3.11% | +4.13% | +15.12% | +10.30% | 2 ans | 2 | ||||||||
Ostrum Credit Short Duration - Part R / CLU0935222066 |
+2.69% | +3.61% | +13.50% | +7.78% | 2 ans | 2 | ||||||||
Ostrum Euro Bonds 1-3 - Part IFR0010208421 |
+2.09% | +2.93% | +7.68% | +1.81% | 2 ans | 2 | ||||||||
Ostrum Euro Bonds 1-3 - Part R (C)FR0010657387 |
+1.82% | +2.60% | +6.64% | +0.21% | 2 ans | 2 | ||||||||
Ostrum Total Return Sovereign - Part I / ALU0935219609 |
+1.14% | +1.79% | +2.69% | -0.80% | 1 an | 2 | ||||||||
Ostrum Total Return Sovereign - Part R / ALU0935220284 |
+0.89% | +1.49% | +1.80% | -2.24% | 1 an | 2 | ||||||||
VEGA Court Terme Dynamique - Part IFR0012260545 |
+2.97% | +3.61% | +12.97% | +9.37% | 1 an | 2 | ||||||||
VEGA Court Terme Dynamique - Part RFR0010078279 |
+2.75% | +3.34% | +12.02% | +7.85% | 1 an | 2 | ||||||||
Aucuns fonds ne correspond à vos critères dans cette liste.
Actualisé le 09/09/2016 (4)
| Libellé |
|
Durée de placement minimum recommandée |
Indicateur Synthétique de Risque(2) |
|||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Ostrum Euro Liquidity LVNAV - Part I/CFR0010322438 |
+1.94% | +2.45% | +9.52% | +8.49% | 1 jour | 1 | ||||||||
Ostrum SRI Cash plus - Part IFR0010831693 |
+1.99% | +2.50% | +9.71% | +8.83% | 1 jour | 1 | ||||||||
Ostrum SRI Cash plus - Part R/CFR0000293714 |
+1.92% | +2.41% | +9.50% | +8.58% | 1 jour | 1 | ||||||||
Ostrum SRI Money - Part I / CFR0007075122 |
+2.02% | +2.53% | +9.83% | +8.92% | 3 mois | 1 | ||||||||
Ostrum SRI Money - Part R / CFR0011563535 |
+1.93% | +2.42% | +9.56% | +8.65% | 2 mois | 1 | ||||||||
Ostrum SRI Money Plus - Part RFR0010885210 |
+1.95% | +2.44% | +9.67% | +8.79% | 3 mois | 1 | ||||||||
Ostrum SRI Money Plus - Part I / CFR0010885236 |
+2.03% | +2.54% | +9.91% | +9.05% | 3 mois | 1 | ||||||||
Aucuns fonds ne correspond à vos critères dans cette liste.